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Wed 14 Dec 2016, 12:30 BNP PARIBAS ARBITRAGE ISSUANCE B.V. - Amendment of Redemption Dates on ZA061 and ZA062 Certificates
ZA061 ZA062 201612140029A
Amendment of Redemption Dates on ZA061 and ZA062 Certificates

BNP Paribas Arbitrage Issuance B.V.
(incorporated in The Netherlands)
(the “Issuer”)


PUBLICATION OF MANIFEST ERROR IN RESPECT OF THE REDEMPTION DATES FOR
ZA062 (ISIN: ZAE000175923) AND ZA061 (ISIN: ZAE000175931) ISSUED BY
THE ISSUER UNDER THE WARRANT AND CERTIFICATE PROGRAMME (the
“Programme”) ON 22 FEBRUARY 2013

The Issuer wishes to advise the market that the Redemption Dates
specified in the final terms (the “Final Terms”) for the ZAR70,000,000
Certificates relating to a Basket of Shares (Series CE1042SAD) issued
on 22 February 2013 (the “ZA062 Certificates”) and the ZAR40,000,000
Certificates relating to a Basket of Shares (Series CE1110SAD) issued
on 22 February 2013 (the “ZA061 Certificates”) issued by the Issuer
under the Programme, are incorrect and constitute a manifest error.
The correct Redemption Date for both the ZA061 Certificates and the
ZA062 Certificates is 15 February 2018.

Amended and restated versions of the Final Terms in respect of the
ZA061 Certificates and the ZA062 Certificates are available at the
registered offices of the Issuer and the South African Transfer Agent.


Johannesburg
14 December 2016

Debt Sponsor
The Standard Bank of South Africa Limited

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